REMIC Securities
MX Securities
Class
Original Class
Principal Balance
or Class
Notional Balance
Related
MX Class
Maximum
Original Class
Principal Balance
or Class Notional
Balance(2)
Principal
Type(3)
Interest
Rate
Interest
Type(3)
CUSIP
Number
Final
Distribution
Date(4)
Combination 42
EB
$
6,666,667
QL
$
6,666,667
PAC/AD
(7)
INV
38374FL36
March 2034
QB
20,000,001
Combination 43
EB
$
6,666,667
QM
$
6,666,667
PAC/AD
(7)
INV
38374FL44
March 2034
QB
26,666,668
Combination 44
EB
$
6,666,667
QD
$
6,666,667
PAC/AD
(7)
INV
38374FL51
March 2034
QB
40,000,000
Security Group 6
Combination 45
BD
$
5,400,000
BG
$ 10,000,000
SC/PT
5.00%
FIX
38374FL69
April 2033
BE
4,600,000
Security Group 7
Combination 46
FI
$ 82,389,825
LA
$164,779,650
SEQ
3.50%
FIX
38374FL77
March 2029
LP
164,779,650
QI
82,389,825
Combination 47
FI
$ 94,159,800
LB
$164,779,650
SEQ
4.00%
FIX
38374FL85
March 2029
LP
164,779,650
QI
94,159,800
Combination 48
FI
$105,929,775
LC
$164,779,650
SEQ
4.50%
FIX
38374FL93
March 2029
LP
164,779,650
QI
105,929,775
Combination 49
FI
$117,699,750
LD
$164,779,650
SEQ
5.00%
FIX
38374FM27
March 2029
LP
164,779,650
QI
117,699,750
Combination 50
FI
$117,699,750
LF
$117,699,750
SEQ
(7)
FLT
38374FM35
March 2029
LP
117,699,750
Combination 51
LP
$ 47,079,900
LS
$ 47,079,900
SEQ
(7)
INV
38374FM43
March 2029
QI
117,699,750
B-165